Interim Financial Controller
Listed on 2026-02-24
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Finance & Banking
Financial Manager, Financial Reporting, Financial Compliance, Accounting & Finance
Overview
The Interim Financial Controller role offers you the chance to oversee a busy finance department, working closely with a small, dedicated team while ensuring the smooth running of all financial operations. You will play a pivotal part in maintaining robust financial controls, supporting statutory and audit processes, and managing high-volume transactional activity.
As an Interim Financial Controller based in Bromsgrove, you will play an integral role in guiding the finance department through a period of maternity cover. Your day-to-day activities will involve close collaboration with your team as you manage all aspects of financial operations, from overseeing daily transaction processing to ensuring month-end procedures are completed accurately. You will be responsible for statutory accounts preparation, liaising with auditors, and maintaining compliance with relevant VAT regulations across multiple jurisdictions.
Your expertise in Sage 200 and Excel will be crucial as you handle large volumes of data efficiently. Success in this role will come from your ability to maintain high standards under pressure while nurturing a positive team culture that values cooperation, dependability, and shared achievement.
- Oversee the daily operations of the finance department, ensuring all processes run smoothly and efficiently throughout the maternity cover period.
- Manage and support a small team of three, fostering a collaborative and supportive environment that encourages professional growth and development.
- Complete the month-end process accurately and within deadlines, preparing detailed reports for senior management review.
- Assist with statutory accounts preparation and coordinate with external auditors to facilitate a seamless audit process.
- Handle high volumes of sales transactions and invoices on a daily basis, maintaining meticulous records and ensuring prompt processing.
- Ensure compliance with UK VAT regulations, including timely submissions and accurate reconciliations, while also supporting Austrian and Irish VAT requirements as needed.
- Utilise Sage 200 software extensively for financial management tasks, leveraging its features to streamline workflows and enhance reporting accuracy.
- Apply strong Excel skills to analyse data, prepare complex reconciliations, and generate insightful financial reports for decision-making purposes.
- Identify opportunities for process improvement within the finance function, recommending changes that promote efficiency and accuracy.
- Provide ad hoc financial analysis and support to other departments as required, demonstrating flexibility and responsiveness to business needs.
The ideal candidate for the Interim Financial Controller position will bring substantial experience from previous roles overseeing finance functions within fast-paced environments. Your background should include hands‑on involvement in managing teams where collaboration was key to achieving departmental goals. You will have demonstrated your capability in handling complex month‑end routines as well as supporting statutory reporting requirements. Familiarity with multi‑jurisdictional VAT matters, particularly UK VAT, is highly valued here.
Your technical acumen with Sage 200 software must be complemented by advanced Excel abilities that allow you to interpret data effectively. Beyond technical skills, your approachable manner will help foster positive relationships both within your immediate team and across wider business units. Adaptability is crucial; you should feel comfortable responding constructively when faced with new challenges or shifting priorities.
- Proven experience working as a Financial Controller or in a similar senior finance role within a busy finance function is essential for success in this position.
- Fully Qualified - ACA, ACCA, CIMA
- Demonstrable ability to manage small teams effectively by fostering collaboration, providing guidance, and encouraging professional development among colleagues.
- Comprehensive understanding of month‑end processes including reconciliations, journal postings, accruals, prepayments, and report preparation is required.
- Experience assisting with…
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